
The Finance with Risk Management program at the University of Bath is a one-year, full-time Master of Science designed for students who are interested in developing expertise in both finance and risk management. This program provides students with the knowledge and tools to manage financial risks and make informed financial decisions, focusing on areas such as risk assessment, financial markets, and corporate finance.
Students will learn about various risk management techniques, including market risk, credit risk, and operational risk, and will explore how these risks affect financial decision-making in both domestic and global contexts. The program combines academic theory with practical application, allowing students to gain hands-on experience in financial modeling, portfolio management, and risk analysis. Graduates will be well-prepared for careers in banking, investment management, and financial consulting, with a strong focus on managing financial risks in a dynamic market environment.
Program Title: Finance with Risk Management
Degree Type: Master of Science (MSc)
Duration: 1 Year
Mode of Study: Full-time, On Campus
Application Deadline: 31st July 2026
Location: University of Bath, United Kingdom
Field of Study: Finance
Language of Instruction: English
Semester 1 – Foundations in Finance and Risk Management
• Corporate Finance and Financial Reporting
• Quantitative Methods and Financial Modelling
• Risk Analysis and Management Principles
• Research Methods in Finance
Semester 2 – Advanced Financial Strategies and Applied Research
• Investment and Portfolio Management
• Derivatives, Hedging, and Risk Mitigation
• Corporate Governance and Ethical Finance
• Independent Research Project in Finance and Risk Management
Graduates of the Finance with Risk Management program at the University of Bath are prepared for careers in financial analysis, risk advisory, investment management, and corporate finance. Common roles include risk analyst, financial consultant, investment manager, portfolio analyst, and corporate finance advisor within banks, financial institutions, multinational corporations, and regulatory bodies. The program equips graduates with the ability to identify, assess, and manage financial risks, develop investment strategies, and apply quantitative and analytical methods to real-world financial challenges. Alumni also pursue professional certifications such as CFA, FRM, or ACCA to enhance their career prospects.
The MSc in Finance with Risk Management at the University of Bath combines core finance knowledge, advanced risk management techniques, and applied research skills to prepare graduates for the dynamic world of finance. The curriculum emphasizes financial analysis, portfolio management, and risk assessment, enabling students to develop expertise in evaluating complex financial environments and making evidence-based decisions. Through independent research projects, case studies, and applied learning, students gain the skills to excel in investment management, corporate advisory, and risk-focused financial roles, providing a competitive edge in both national and international financial sectors.
For further information, please contact the admissions office at:
Phone: +44 (0)1225 388388
Email: admissions@bath.ac.uk
Address: University of Bath, Claverton Down, Bath BA2 7AY, United Kingdom